Page 406 - FY 2021-22 Blue Book Volume 2
P. 406

Measure R Traffic Relief and Rail Expansion Funds


                                                                                    2020-21            2021-22
                                                                                Adopted Budget     Proposed Budget
             SPECIAL PURPOSE FUND APPROPRIATIONS

             Automated Traffic Surveillance and  Control  (ATSAC)  System     $             3,000,000   $             3,000,000
             Maintenance -  Funds  are  provided  for  ongoing maintenance
             requirements  such  as camera maintenance and replacement,
             replacement of items such as transceivers, receivers, servers, and fusion
             splicers, repair of trunk line breaks, software licensing, wireless and
             telephone drop connections, video wall maintenance, hub maintenance,
             replacement of hub buildings, and video central switcher maintenance.

             Bicycle Plan/Program – Other - Five percent of the estimated local                  1,300,000                  2,000,000
             return revenue is typically provided for bicycle projects within the City.
             For 2020-21, four percent is provided for bicycle projects.

             Great Streets - Funds are provided for one-time support for advanced               500,000               500,000
             planning and construction improvements on Great Street corridors.


             Median Island Maintenance - Funds are provided for the maintenance               1,000,000   1,000,000
             of median islands citywide.

             Paint  and Sign Maintenance -  Funds are provided to support the               1,800,000               1,800,000
             purchase of paint and sign maintenance equipment and supplies for
             striping and pavement markings for City streets. Funds are  also
             provided in the Proposition C Anti-Gridlock Transit Fund ($100,000) and
             the Measure M Local Return Fund ($1,171,000).

             Pavement Preservation Overtime -  Funds are provided for the                      700,000                  700,000
             Department of Transportation’s Pavement Preservation overtime needs.

             Pedestrian Plan/Program - Five percent of the estimated local return               1,300,000               2,000,000
             revenue is typically provided for pedestrian projects within the City. For
             2020-21, four percent is provided for pedestrian projects.

             Technology and Communications - Funds are provided for technology           25,000                     25,000
             and communications requests.

             Vision Zero Contracts, Speed Surveys, Outreach Campaign - Funds                  200,000                   200,000
             are provided for education and outreach, campaign messaging, and the
             renewal or extension of speed zone surveys  along  the  High  Injury
             Network. For 2021-22, $1.0 million in funding for education, outreach,
             and campaign messaging is also provided in the Measure M  Local
             Return Fund.

             Reimbursement of General Fund Costs -  Funds are provided to                12,751,137              18,468,024
             reimburse the General Fund for fringe benefits and partially reimburse
             for central services.

                                             Subtotal Special Purpose Fund Appropriations    $           23,729,675   $           29,693,024


                                                                               TOTAL APPROPRIATIONS     $          55,254,750    $          59,807,247










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